Meitav Investment House Ltd. 3.95% 10-DEC-2025Meitav Investment House Ltd. 3.95% 10-DEC-2025Meitav Investment House Ltd. 3.95% 10-DEC-2025

Meitav Investment House Ltd. 3.95% 10-DEC-2025

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Key terms


Outstanding amount
‪81.48 M‬ILS
Face value
1.00ILS
Minimum denomination
1.00ILS
Coupon
3.95% (Fixed)
Coupon frequency
Semi-annual
Yield to maturity
Maturity date
Dec 10, 2025
Term to maturity
20 days

About Meitav Investment House Ltd. 3.95% 10-DEC-2025


Sector
Finance
Industry
Investment Managers
Home page
Issue date
Dec 20, 2010
ISIN
IL0011217630
FIGI
BBG001F6LV32
Meitav Investment House Ltd. engages in the provision of investment management services. It operates through the following segments: Medium and Long Term Savings Management, Current Savings Management, Exchange Member, and Non-Bank Credit. The Medium and Long Term Savings Management provides management of provident funds, study funds, central compensation funds, pension funds, and central fund for participation in budgetary pensions. The Current Savings Management segment deals with marketing and management of mutual funds; investment portfolios for private clients, corporations, and institutional clients; and in market making activities. The Exchange Member segment offers stock exchange member services, securities custody services, trading and execution services in Israeli and foreign securities, market making services, and currency conversions. The Non-Bank Credit segment deals with providing credit to small and medium-sized corporations; loans backed by real estate to entrepreneurs and real estate investors in Ireland; as well as providing consumer credit. The company was founded by Zvi Stepak in 1979 and is headquartered in Bnei Braq, Israel.

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